Jeff Palmer focuses his practice on representing companies and individuals, including broker-dealers and investment advisory clients, in civil litigation, arbitrations, and regulatory matters, including inquiries involving the SEC, FINRA, and Department of Justice. Jeff has over fifteen years of experience representing clients in complex business litigation, securities litigation, and white-collar litigation. Jeff has conducted numerous internal investigations into alleged unfair business practices, breaches of fiduciary duty, and violations of the Foreign Corrupt Practices Act. Jeff also advises clients on professional liability insurance coverage and contractual indemnification protections. In addition, Jeff counsels companies on developing guidelines and response plans for responding to subpoenas, court orders, and search warrants seeking company and customer information.